This role is instrumental in supporting corporate accounting across multiple UK and Jersey entities, while also contributing to fund reporting and other ad hoc financial projects
Jersey
To apply or for more information please contact Emma O’Connell on 01534-888345 or email emma.oconnell@thomasdessain.com.
Postholder will assist in preparing monthly management accounts, budgets, and cash flow forecasts; consolidation adjustments; maintain accurate bookkeeping records; organise purchase invoices; issue invoices; manage payment processes, including fund recharge settlements; prepare board minutes and distribution notices; perform monthly bank reconciliations and oversee cash flow management; support year-end audits, preparation of audit files and responding to auditor queries; participate in finance-related projects; provide support for new business initiatives.
The successful candidate will be a qualified/part qualified accountant with strong knowledge of UK GAAP and IFRS; advanced MS Excel skills; prior experience with NetSuite preferred; experience in similar financial/accounting role advantageous; commercially astute with proactive, solutions-oriented mindset; excellent communication and organisation skills; ability to manage multiple priorities and meet deadlines; self-motivated; adaptable; can work independently using initiative.
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